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Global X Internet of Things ETF (SNSR)

NASDAQ: SNSRGlobal X FundsTechnologyETFUSD

48.61+0.1811 (+0.37%)

At close: Oct 9, 4:00 PM ET · Delayed 15 min

SNSR chart

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Key facts

Assets (AUM)
$212.22M
Holdings
10
Inception
Sep 12, 2016
Issuer
Global X Funds
Index tracked
—
Category
Technology
52-week range
34.20 – 53.80
Volume / Avg
9.43K / 15.74K
Beta
—
Previous close
48.43

SNSR ETF today

The Global X Internet of Things ETF (SNSR) is an exchange-traded fund from Global X Funds in the Technology category. It charges an expense ratio of 0.68%, or $68.00 per year on a $10,000 investment, and manages $212.2 million in assets. Its largest holding is STMicroelectronics NV (STMPA.PA) at 7.64% of assets, and the top 10 positions make up 50.4% of the portfolio out of 10 holdings.

The fund's trailing dividend yield is 0.47%. SNSR launched on Sep 12, 2016.

Summary generated from market data by MetaCap's automated system. Methodology

SNSR top 10 holdings

SNSR holdings by weight
#HoldingWeight
1STMPA.PASTMicroelectronics NV7.64%
22395.TWAdvantech Co Ltd6.41%
3DXCMDexCom Inc5.80%
4GRMNGarmin Ltd5.67%
5LSCCLattice Semiconductor Corp5.58%
6IOTSamsara Inc Ordinary Shares - Class A4.43%
72454.TWMediaTek Inc4.38%
8SWKSSkyworks Solutions Inc4.17%
9RMBSRambus Inc3.74%
103529.TWOeMemory Technology Inc2.53%

Top 10 holdings: 50.4% of assets.

SNSR performance

1 week

-1.60%

SNSR price return, excluding dividends.

ETFs similar to SNSR

SNSR ETF FAQ

What is the SNSR price today?

SNSR last traded at $48.61 as of Oct 9, 4:00 PM EDT, up 0.37% on the day.

What is SNSR's expense ratio?

SNSR has an expense ratio of 0.68%, which works out to about $68.00 per year for every $10,000 invested.

What are SNSR's top holdings?

SNSR's largest holdings are STMicroelectronics NV (7.64%), Advantech Co Ltd (6.41%), DexCom Inc (5.80%), Garmin Ltd (5.67%), Lattice Semiconductor Corp (5.58%). The top 10 make up 50.4% of the fund.

Does SNSR pay a dividend?

Yes. SNSR has a trailing dividend yield of 0.47%.

How big is SNSR?

SNSR has about $212.2 million in assets under management spread across 10 holdings.

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